Our client, an International Investment Bank has expanded rapidly throughout the years. Having excellent company values that give employees guidance for their work and a sense of security.
An outstanding benefits package is offered that would help you grow and invest in yourself.
Job responsibilities
- Supporting the Risk Analytics Senior Manager with meeting all the deliverable deadlines associated with external tasks, including ICAAP/ILAAP and Recovery Plan
- Assisting the Risk Analytics Senior Manager in any other regulatory reporting requirements that may arise
- Supporting the Risk Management oversight of the Groups' capital and liquidity risks through complementary reporting, stress testing and performance tracking of the Group's portfolio
- Implementing change initiatives such as projects and changes in regulation
- Contributing in the risk policy creation and updating
- Producing capital and liquidity risk reports, and any other ad-hoc reports for managerial and executive level audiences
- Developing and maintaining risk models, in particular economic capital models and stress testing models
- Ensuring availability of risk data and maintaining integrity of such data and any related risk reports
- Working in conjunction with subsidiary entities and international offices
Required knowledge, skills and experience
- A University Degree in Finance, Banking, Mathematics or a related field
- A minimum of 3 years' experience in a similar role
- Excellent skills in MS Excel, and proficiency in other MS Office applications
- Excellent written and verbal communication skills in English
If this sounds like something you might be interested in and have the relevant skill set and experience required, please APPLY now